VP, Credit Risk Lead Analyst for Group Credit Analytics, Risk Portfolio Management
The candidate should have 7-10 years of relevant experience in broad areas of credit risk management. This includes but not limited to knowledge in credit risk management concepts and experience in Basel-related implementation, with exposure to wholesale and/or consumer businesses of a bank. As part of the role, he/she is expected to:
· Lead key initiatives as part of on-going effort to enhance credit portfolio analytics capabilities and reports
· Work with the various sub-team leads to improve existing processes to enhance efficiencies and robustness
· Prepare regular credit risk management reports providing portfolio analyses on trends, variances and key concerns
· Continuously enhance the reports to increase the breadth and depth of coverage or meet changes in requirements
· Assist in ad-hoc information requests or queries from senior management, business units or external parties e.g. regulators, rating agencies
· Develop supplementary reports on specific issues or areas of interest
LI-MLee
Qualifications
· Lead key initiatives as part of on-going effort to enhance credit portfolio analytics capabilities and reports
· Work with the various sub-team leads to improve existing processes to enhance efficiencies and robustness
· Prepare regular credit risk management reports providing portfolio analyses on trends, variances and key concerns
· Continuously enhance the reports to increase the breadth and depth of coverage or meet changes in requirements
· Assist in ad-hoc information requests or queries from senior management, business units or external parties e.g. regulators, rating agencies
· Develop supplementary reports on specific issues or areas of interest
LI-MLee
Qualifications
- Articulate, preferably with experience in getting buy-in from senior management
- Comfortable dealing with multiple stakeholders (IT, Ops, Business Units) in a fast-paced environment
- A team player and self-starter
- Meticulous with an aptitude for numbers and yet able to have a macro view
- Strong analytical, written and oral communication skills
- Good knowledge of banking products and their risks
- Experience managing and working with large databases and a good understanding of SQ
- Strong knowledge of Analytical tools (e.g. Excel/SAS/Qlikview/Tableau)
Similar jobs
-
New
-
New
-
New